Journal of Financial Research


ISSN: 0270-2592        年代:1979
当前卷期:Volume 2  issue 1     [ 查看所有卷期 ]

年代:1979
 
     Volume 2  issue 1
     Volume 2  issue 2   
1. CONSTITUENCIES, ATTRIBUTES, AND GOALS IN FINANCIAL RESEARCH
  Journal of Financial Research,   Volume  2,   Issue  1,   1979,   Page  1-12

Keith V. Smith,  

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2. MEAN‐VARIANCE, MEAN‐SEMIVARIANCE, AND DCF ESTIMATES OF A PUBLIC UTILITY'S COST OF EQUITY*
  Journal of Financial Research,   Volume  2,   Issue  1,   1979,   Page  13-26

Roger P. Bey,  

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3. ASPECTS OF CORPORATE BOND PORTFOLIO DIVERSIFICATION
  Journal of Financial Research,   Volume  2,   Issue  1,   1979,   Page  27-36

Richard W. McEnally,   Calvin M. Boardman,  

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4. RETURN AND RISK FROM LISTED OPTION INVESTMENTS
  Journal of Financial Research,   Volume  2,   Issue  1,   1979,   Page  37-49

Gary L. Trennepohl,   William P. Dukes,  

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5. EARNINGS REPORTS AND MARKET EFFICIENCIES: AN ANALYSIS OF THE CONTRARY EVIDENCE
  Journal of Financial Research,   Volume  2,   Issue  1,   1979,   Page  51-63

O. M. Joy,   C. P. Jones,  

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6. A NOTE ON THE DECEPTIVE NATURE OF BAYESIAN FORECASTED BETAS
  Journal of Financial Research,   Volume  2,   Issue  1,   1979,   Page  65-69

Dana J. Johnson,   Richard E. Bennett,   Richard J. Curcio,  

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7. RETURN, DISPERSION, AND SKEWNESS: SYNTHESIS AND INVESTMENT STRATEGY
  Journal of Financial Research,   Volume  2,   Issue  1,   1979,   Page  71-80

William L. Beedles,  

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8. ON THE NATURE OF RISK: A COMMENT
  Journal of Financial Research,   Volume  2,   Issue  1,   1979,   Page  81-85

Philip L. Cooley,  

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9. Editorial Policy
  Journal of Financial Research,   Volume  2,   Issue  1,   1979,   Page  -

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